【投资】小盘成长+量化策略 这只基金太酷啦
中国建设银行·2025-12-11 06:22

Core Viewpoint - The article emphasizes the performance and investment strategy of the Jianxin Flexible Allocation Mixed Fund, highlighting its ability to adapt to market changes and achieve significant returns compared to benchmarks [3][8]. Investment Strategy - Jianxin Flexible Allocation Mixed Fund employs an active quantitative strategy focused on index enhancement, utilizing a proprietary multi-factor model to identify risks, select quality stocks, and manage investment risks [3][4]. - The fund primarily invests in small-cap growth stocks across high-growth sectors such as pharmaceuticals, machinery, and computers, which have shown superior performance this year [6]. Performance Metrics - The fund's performance in the past year has been impressive, with returns of 64.47% and 32.97% over the last six months, significantly outperforming its benchmark by 26.01% and 12.24% respectively [8][12]. - The Jianxin Flexible Allocation Mixed Fund ranks in the top 10% of its peers over the past year, two years, and three years, indicating strong relative performance [12]. Market Context - The small-cap growth style has been favored this year, with the CSI 2000 Index and CSI 1000 Index rising by 33.78% and 25.66% respectively, supported by improved market sentiment and ongoing liquidity support from the central bank [6][7].